摘要:The main aim of this paper is to attempt a theoretical delineation of a new econoscience now known as fi nancial econometrics, which is as a result of a dual approach, one originally from economics to econometrics, followed by another one, articulate, from fi nancial economics to fi nancial econometrics, both purely theoretical, simultaneously stressing the importance of economic and fi nancial modelling, historically detailing the emergence and development of this new econoscience, outlining its subject and objectives, and describing some of the most commonly used methods and models, while noting the presence of increasingly sharp competition of econophysics, sociophysics and economy quantum, in the universe of modelling the processes and phenomena in classical economics and fi nancial economics.
关键词:economics; econometrics; fi nancial economics; ;fi nancial econometrics; economic (or economic and fi nancial) modelling.